Bank reconciliation on payments in foreign currency
Setup
- Start by creating a new bank account under Bank Accounts, that you name e.g. fee account
- You need to fill out:
- Account name
- Currency
- Erp account (fee account from your accounting system under ERP account)
- Clik save
Now it is possible to settle the amount charged by the bank, and that is open on the invoice balance.
Daily usage
- Start by opening the invoice with an open balance
Here it is possible to add a transaction by clicking "Add transaction"
4. After you have clicked add transaction, you need to fill out:
- Fee account in stead of bank
- Write fee amount
- Add a note
- Click save
På denne måde vil jeres gebyr bliver bogført korrekt i jeres regnskab.